每日一练F3 答案回复可见
<p>Which of the following statements about bank reconciliations are correct?<br/><br/>1 A difference between the cash book and the bank statement must be corrected by means of a journal entry.<br/>2 In preparing a bank reconciliation, lodgements recorded before date in the cash book but credited by the bank<br/> after date should reduce an overdrawn balance in the bank statement.<br/>3 Bank charges not yet entered in the cash book should be dealt with by an adjustment in the bank reconciliation.<br/>4 If a cheque received from a customer is dishonoured after date, a credit entry in the cash book is required.</p><p>A 2 and 4<br/>B 1 and 4<br/>C 2 and 3<br/>D 1 and 3</p><p>A<br/></p> a ding d B d A页:
[1]